Investor Protection & Insurance
Your security is our priority. Learn how we protect your funds and personal information through comprehensive insurance and regulatory compliance.
Comprehensive Insurance Coverage
Altracore partners with leading insurance providers to ensure your assets are protected against various risks.
SIPC Protection
Securities in your account are protected up to $500,000 (including $250,000 for cash claims) through the Securities Investor Protection Corporation.
Excess SIPC Coverage
Additional insurance coverage through Lloyd's of London and other insurers provides protection beyond SIPC limits for qualified accounts.
Cyber Liability Insurance
Protection against losses from cyber attacks, data breaches, and unauthorized access to your account information.
Crime & Fidelity Coverage
Insurance against employee theft, fraud, forgery, and other criminal activities that could affect client assets.
Errors & Omissions
Professional liability coverage protecting against claims of inadequate work or negligent actions by our team.
Asset Segregation
Client funds are held in segregated accounts at top-tier financial institutions, separate from company operational funds.
How We Protect Your Assets
Multi-Signature Wallets
For cryptocurrency holdings, we use multi-signature technology requiring multiple approvals for any asset movement, preventing unauthorized access.
Cold Storage
The majority of digital assets are stored offline in cold storage facilities with military-grade security and geographical distribution.
Regular Audits
Independent third-party audits are conducted quarterly to verify asset holdings and ensure compliance with regulatory standards.
Real-Time Monitoring
24/7 surveillance of all accounts and transactions with AI-powered fraud detection systems that flag suspicious activities instantly.
Bank-Grade Encryption
All data is encrypted using AES-256 bit encryption in transit and at rest, meeting the highest banking security standards.
Regulatory Compliance
Full compliance with SEC, FINRA, and international financial regulations, with regular reporting and oversight.
Regulatory Compliance
We operate under strict regulatory oversight to ensure the highest standards of investor protection.
SEC Registered
Registered with the U.S. Securities and Exchange Commission as a broker-dealer and investment advisor.
FINRA Member
Member of the Financial Industry Regulatory Authority, subject to their rules and examination.
AML/KYC Compliant
Strict Anti-Money Laundering and Know Your Customer procedures to prevent financial crimes.
Insurance & Protection FAQ
What happens if Altracore goes out of business?
Does insurance cover trading losses?
How do I verify my insurance coverage?
Is cryptocurrency covered by SIPC?
Questions About Coverage?
Our team is here to help you understand how your assets are protected. Get in touch with any questions.